The Fund Accounting Manager will be responsible for managing the full accounting cycle for multiple PE and real estate fund vehicles, including capital call and distribution processing, investor allocations, financial statement preparation, and coordination with fund administrators, auditors, and tax preparers. This role requires strong technical fund accounting knowledge and the ability to manage complex, multi-entity structures.
Key Responsibilities
Qualifications
Preferred Attributes

The Third Group stands out as a boutique executive advisory and solutions firm with a remarkable legacy of over 50 years of combined experience in refining executive talent and leadership strategies for top-tier organizations, from dynamic Series A startups to renowned Fortune 500 companies.
At the heart of their success is a passion for building strong, transparent relationships and a strategic use of industry trends and comprehensive market data. This ensures not just a recruitment process, but a high-quality matchmaking journey, yielding exceptional candidate and client experiences globally.
Our extensive network includes family offices, private equity, venture capital, and more, underlining our capability in navigating high-stake hiring landscapes with discretion and precision. Noteworthy placements by The Third Group span various pivotal roles, including C-level positions in Financial Services, Real Estate, and Technology sectors, among others.